a. SPY not really in agreement but BIDU weak on the day
b. Weak push up to V
c. Multiple clean opportunities really with a weak V
d. 1st peel 1:1.5 and the 2nd was near a logical level. 3rd and final exit I held a bit too long. Should have looked to take more out near the lows that I had since we bottomed, but it was looking weak. Held a bit too long with too much of my initial size. If I was in with only 1/3 left it might have been better at this point. It had potential to LOD and beyond though so 50/50 on holding it or not.
e. V was clean and readable on this one.
f. Could have read the fact the SPY was zero help and just bailed?
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2020-04-08 10:56:35 | BIDU | sell | $96.230 | short |
2020-04-08 11:06:13 | BIDU | buy | $95.770 | short |
2020-04-08 11:09:57 | BIDU | buy | $95.320 | short |
2020-04-08 11:20:20 | BIDU | buy | $95.910 | 0 |
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